Job Description
• Roles and Responsibilities
• Manage the monthly financial close process, including ensuring all costs incurred are properly recorded, reviewing journal entries, account balance reconciliations and report preparation
• Participate in the ongoing development/establishment of accounting policies and procedures and operational strategies including the review and implementation of process and system changes.
• Continued focus on improving system efficiencies and business practices
• Collaborate with external auditors to ensure successful audit results and compliance
• Interacts at all levels and with budget owners or other stakeholders to produce timely, efficient and accurate month-end close and all internal management and financial reporting through annual report
• Responsible for hierarchy and scalability in chart of accounts and accuracy in the general ledger and financial statements and has ultimate authority over classification and booking of all transactions
• Analyze the effect of statutory accounting practices and studies regulations and guidance to ensure correct application of Generally Accepted Accounting Principles
• Make recommendations for changes as needed and ensure that company policies and procedures are followed and establishes the proper techniques to discover and prevent fraud
• Prepare detailed journal entries and account analyses
• Assist with compilation of information for preparation of tax returns
• Work with Audit, Tax and Treasury Manager to ensure overall coordination of all financial accounting activities through annual report
• Prepare summary feedback of financial statements variances to budget
• Actively review and advise on financial/accounting processes
• Should be able to handle all statutory cases and should liaised with all statutory bodies to ensure portfolios maintained compliance and adhered to the Statutory processes.
• Collaborated within senior management including risk management and planning.
• Prior experience in Corporate Finance, FP&A or Business Finance
• Extensive understanding of financial trends both within the company and general market patterns
• Business acumen, Analytical approach, understanding of general business development and operations
• Prepare long-term and short-term business and financial plans for the entire company and when needed financial plans for evaluation of new businesses
• Provide financial reports and interpret financial information to business finance and business team's while recommending further courses of action
• Analyse costs, pricing, variable contributions, growth results and the company's actual performance compared to the business plans
• Ensure capital adequacy by doing a monthly refresh of cash flow projections
• Conduct reviews and evaluations for cost-reduction opportunities
• Pro-active forecasting of impact of policy / assumption changes to business models and communication of the same to all stakeholders
Minimum Qualifications
• Chartered Accountant / MBA with 5+ year of work experience
• Strong analytical skills and problem-solving skills
• Understanding of Accounting softwares and data entry
• Strong stakeholder management and interpersonal skills
Desired Candidate Profile
• Strong Proficiency in financial modelling and presentations and accounting standards
• Educational Qualification- CA / MBA Finance
• Prior experience in Ecommerce/ start-ups/Consumer Tech / Ed-Tech
• Business acumen, Analytical approach, understanding of general business development and operations
• Prior experience in Corporate Finance, FP&A or Business Finance
💡 Quick Summary
Seeking a career-building opportunity? The Manager| Accounts and Finance position is now open for candidates interested in the Accountant Jobs sector. This role in Mumbai offers a professional environment and growth potential.
Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Accountant Jobs is a plus.
